概要

Finance Professional with over 16 years of experience specializing in Corporate Affairs, Finance and Internal Audit department for leading financial services and commercial banks. Having excellent track record of problem solving, mergers and acquisition, implementation of strategies and Implementation of Oracle and SAP for whole organization. Instrumental in creating environment of internal control processes improvements, forecasting budgeting, cash flow working capital management, treasury management, capital raising, valuation, investment recommendations, portfolio construction that result in compliance, profitability, and growth for Institution.

工作经历

公司标识
Head of Financial Control & Policy
First Women Bank Ltd.
Apr 2020 - 代表 | Karachi, Pakistan

 Analyze financial information and prepare financial reports to maintain records of financial activities and examine budget estimates for completeness, accuracy and conformance with Bank\'s policies and procedures and regulations. Analyze budgeting and accounting reports for the purpose of maintaining expenditure controls.
 Assist CFO and Senior Management for Business planning, cost accounting and managing Accounting systems and procedures for the proper and safe management of assets and liabilities in line with Bank\'s procedures. Assist in projects planned for Cost Allocation, Funds transfer, pricing application and customer profitability. Identify areas of cost rationalization and implement cost reduction measures.
 Provide support to the budget preparation process in all Branches / Departments and consolidate the Departmental budgets into annual corporate budget for the Bank. This includes developing the annual budget, tracking monthly expenses, financial analysis, providing monthly budget updates, accounting support, finalizing actual and clearing discrepancies.
 Maintain rigorous focus on control and ensure compliance to all policies and procedures. Also keep proper audit track for all transactions undertaken. Timely analysis and compilation of various MIS and reports.
 Monitor the income and expenses vs. budget, track the variances, recommend corrective actions and follow up on remedial actions to ensure the adherence to the budget and to support the effective monitoring of performance within the budget.
 Review the inward invoices for payment pertaining to projects in order to ensure they are approved in line with the Bank\'s polices and that payments are booked under appropriate heads, Departments, Branches and Units.
 Make timely entries of the payments of invoices and expenses under proper heads to ensure the appropriate booking of the cost. Maintain the safe custody of records and payment vouchers to ensure easy retrieval of records, when required.
 Prepare accurate analysis of transactions to support the preparation of accurate budgets for the coming year. Process expense reimbursement to staff members and other business related expenses, ensuring adherence to Bank\'s policy guidelines.
 Gather and consolidate accounting and financial information for the preparation of Management report. Take initiative to investigate and recommend suitable suggestions to Head of MIS to improve the effectiveness of accounting systems.
 Assist Head of MIS in preparing accurate analysis of transactions to support the preparation of accurate budgets for the coming year. Assist in processing expense reimbursement to staff members and other business related expenses,
Capital raising (Equity & Debt)
Risk & Financial Management
Finance & Accounting
Internal Controls
Strategic Planning
Problem solving
Process Improvements
Communication
Budgeting and Forecasting
Share and Right Issues
Change Management
Organizational Re-engineering
Merger & Acquisition
Structured finance
Due diligence
Policy Making
Regulatory Compliances
Financial analysis
Taxations
Human Recourse
Oracle & SAP Implementation
Investment banking
Adaptability & Resilience
Team Work
ensuring adherence to Bank\'s policy guidelines.
 Coordinate the management information available to the various business segments within the Bank. Prepare and revise the Budget by showing all Segments under each Branch and other Departments on Bank-wide level.
 Provide any other service as directed to support the overall functioning of the Department to commensurate with the nature of assignment

公司标识
CFO & Company Secretary
Pak Oman Asset Management Company Limited
May 2019 - Jan 2020 | Karachi, Pakistan

公司标识
Chief Financial Officer
Unity Foods Limited
Oct 2018 - May 2019 | Karachi, Pakistan

公司标识
Vice President
Askari Bank Limited
Jul 2017 - Oct 2018 | Karachi, Pakistan

Established department alone, provide audit & assurance services independently, specializing in comprehensive financial, operations, compliance, credits and treasury audit, provide recommendation to implement controls on high risk areas, conduct special investigations assigned by the President of the Bank.

Job Responsibilities
• review systems and operations and appraise the adequacy of controls including their ability to detect and prevent fraud;
• recommend improvements to systems and procedures;
• advise on appropriate systems of control and other operational matters;
• appraise the extent of compliance with established policies, procedures and plans;
• assess the accuracy of management information;
• maintained a continuous review of the income and expenditure;
• Involved in the design, implementation and testing of planned controls when major changes are made to various administrative systems but shall not be responsible for the detailed implementation of such systems; and
• conducting ad hoc and confidential investigations as directed by the President & CE
• Ensure that senior management establishes and maintains an adequate and effective internal control system and processes. The system and processes should be designed to provide assurance in areas including reporting (financial, operational, risk), monitoring compliance with laws, regulations and internal policies, efficiency and effectiveness of operations and safeguarding of assets.
• Ensure application and effectiveness of risk management procedures and risk assessment methodologies, as applied to credit risk, market risk, liquidity risk and operational risk (including information technology and business continuity management).
• Special assignments directed by President & CE of AKBL from time to time.
• Independently review the cases of fraud and forgeries report the conclusion directly to the president

公司标识
Head of Internal Audit & Company Secretary
Askari Investment Management Limited
Jan 2010 - Jul 2017 | Karachi, Pakistan

Achieved a position as the Head of Internal Audit and developed In-House Internal Audit Department which was previously outsourced to Deloitte Touché Thomatsu. Successful reduced the cost of the company by 25%—which resulted in revenue increases by 12.5 million gross annually. Achieved highest control rating by the Regulators (SECP) after the Inspection in 2012.

Job Responsibilities as Head of Internal Audit
• Communicate internal control policies approved from BOD and also advise senior management on compliance laws, rules and regulations, including keeping them informed on developments in the area. Ensure all policies and procedures are being adhered to.
• Supervise implementation of audit review plan and prepare the quarterly reports or reports on ad-hoc basis on internal controls and compliances with the laws and regulations to the BAC;
• keep up-to-date with changes in the regulatory environment and assessing the organizational impact of changes in this environment;
• serve as a contact point between BAC and senior management with regard to functioning of the IA programme, IA and compliance developments, provide assistance in this area to departments of the company, and act as liaison with SECP concerning the issues related to internal control and compliance;
• Assess the appropriateness of the company’s IA procedures and guidelines, promptly follow up any identified deficiencies, and, where necessary, formulate proposals for amendments.
• Delegate responsibility to conduct appropriate audit investigations (e.g., legal, HR, and other departments of the organization) to ensure proper follow-up and resolution.
• Participated in Decision Making by Senior Management of the Company as Management Committee Member.

Job Responsibilities as Company Secretary
• Independently handled with the consultation of lawyer, the acquisition of the company decided by the shareholders and mergers after acquisition.
• Ensured compliance of the provisions of Companies Law and rules

公司标识
CFO & Company Secretary
AMZ Asset Management Limited
Mar 2009 - Jul 2010 | Karachi, Pakistan

公司标识
Manager Accounts & Finance
AMZ Asset Management Limited
Jan 2005 - Feb 2009 | Karachi, Pakistan

学历

Chartered Institute of Management Accountants (CIMA) UK
证书, ACMA & CGMA-UK‎
Accounting & Finance, Economics and Finance, Management Accounting
Completed
2017
University of Karachi
学士, 贸易学士, B. Com‎
Accounting & Finance, Economics and Finance, Management Accounting
等级 B
2004

技能

熟练 or relevant role
熟练 4 Knowledge of Taxation
熟练 Accounting+
熟练 Annual Planning
中级 Banking
熟练 Budgeting & Forecasting
熟练 Budghet
熟练 Capital and Investment
熟练 Capital Budgeting
中级 Commercial Banking Knowledge
中级 Compliances
熟练 Corporate Finance
熟练 Corporate Finance Competence
中级 Delievry Planning
熟练 Finance Consulting
熟练 Finance Function Effectiveness
熟练 Financial Accounting
熟练 Financial Accounting and Reporting
熟练 Financial Analysis
熟练 Financial Closing
熟练 Financial Modeling and
熟练 Financial Risk Management
熟练 Internal Audit Command
熟练 Internal Audit Transformation
熟练 Merger & Acquisition Communication
熟练 of Financial Management
熟练 Project Finance
中级 Proven experience as CFO
熟练 RESTful APIs
熟练 Risk Compliance Management
熟练 Risk Evaluation
中级 Setting Strategic Direction
中级 Software Implementation Management
熟练 Stakeholder Management
熟练 Strategy Implementation
熟练 Taxations Knowledge
熟练 Transaction Operations
熟练 الامتثال للتدقيق المالي
熟练 تكلفة الاكتساب

语言

中级 英语
熟练 乌尔都语

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